FILIPPO DE MARCO
Insegnamenti a.a. 2020/2021
30006 SISTEMA FINANZIARIO / FINANCIAL MARKETS AND INSTITUTIONS
Insegnamenti a.a. precedenti
Note biografiche
Ph.D. in Economics from Boston College (2015). MSc in Economics from the University of Bologna (2010). Degree in Economics from the University of Padova (2008).
Curriculum Accademico
Assistant Professor of Finance at Bocconi University (2015-today)
Aree di interesse scientifico
Banking, Monetary Economics, International Finance
Pubblicazioni
"Banks as Patient Lenders: Evidence from a Tax Reform", with E.Carletti, V.Ioannidou, and E.Sette, Journal of Financial Economics (forthcoming)
"Bank Lending and the European Sovereign debt Crisis", Journal of Financial and Quantitative Analysis, February 2019, 54(1): 155-182
- Winner Klaus Liebscher Award 2017
"Beyond Home Bias: Portfolio Holdings and Information Heterogeneity", 2020 with M.Macchiavelli, and R.Valchev
- NBER SI 2018 (IFM), EFA 2018
"The Real Effects of Capital Requirements and Monetary Policy: Evidence from the UK", (with T.Wieladek), 2016
"The Political Origin of Home Bias: the case of Europe", (with M.Macchiavelli), 2015